AltaGas - Treasury Analyst
Calgary, AB · On-site
Position Summary The Treasury Analyst plays a key role in managing the organization's liquidity, cash flow, and treasury operations. This position supports day-to-day cash management, maintains ...
Calgary, AB · On-site
Position Summary The Treasury Analyst plays a key role in managing the organization's liquidity, cash flow, and treasury operations. This position supports day-to-day cash management, maintains ...
Calgary, AB · On-site
Position Summary The Treasury Analyst plays a key role in managing the organization's liquidity, cash flow, and treasury operations. This position supports day-to-day cash management, maintains ...
Calgary, AB · On-site
... Treasury experience? This opportunity will allow you to apply your strong work ethic ... As a proactive and analytical individual with excellent time management skills, you will contribute ...
Calgary, AB · On-site
... Treasury experience? This opportunity will allow you to apply your strong work ethic ... As a proactive and analytical individual with excellent time management skills, you will contribute ...
Cash Flow, Treasury & Financing Develop and maintain detailed short- and long-term cash flow forecasts. Monitor liquidity requirements across active homebuilding and land development projects. Manage ...
Quick apply
Cash Flow, Treasury & Financing Develop and maintain detailed short- and long-term cash flow forecasts. Monitor liquidity requirements across active homebuilding and land development projects. Manage ...
Develop and administer the Pension plan, Investment fund and treasury performance monitoring process, including the monitoring of external stakeholders, such as fund managers, banks, investors, and ...
Develop and administer the Pension plan, Investment fund and treasury performance monitoring process, including the monitoring of external stakeholders, such as fund managers, banks, investors, and ...
Calgary, AB · On-site
$140 - $180/hr
Analyze variances between actual results and budget/forecast, identifying risks and opportunities, and recommend corrective actions as needed Cash Flow & Treasury Management * Oversee cash flow ...
Calgary, AB · On-site
$140 - $180/hr
Analyze variances between actual results and budget/forecast, identifying risks and opportunities, and recommend corrective actions as needed Cash Flow & Treasury Management * Oversee cash flow ...
Calgary, AB · On-site
$140 - $210/hr
Lead all accounting, financial reporting, treasury, and financial operations activities across a diversified portfolio of businesses, including commercial real estate, asset management, agriculture ...
Calgary, AB · On-site
$140 - $210/hr
Lead all accounting, financial reporting, treasury, and financial operations activities across a diversified portfolio of businesses, including commercial real estate, asset management, agriculture ...
Calgary, AB · On-site
Analyze variances between actual results and budget/forecast, identifying risks and opportunities, and recommend corrective actions as needed Cash Flow & Treasury Management * Oversee cash flow ...
Quick apply
Calgary, AB · On-site
Analyze variances between actual results and budget/forecast, identifying risks and opportunities, and recommend corrective actions as needed Cash Flow & Treasury Management * Oversee cash flow ...
Calgary, AB · On-site
Analyze variances between actual results and budget/forecast, identifying risks and opportunities, and recommend corrective actions as needed Cash Flow & Treasury Management * Oversee cash flow ...
Calgary, AB · On-site
Analyze variances between actual results and budget/forecast, identifying risks and opportunities, and recommend corrective actions as needed Cash Flow & Treasury Management * Oversee cash flow ...
... and treasury management. Reporting to the Manager, 1GX Business Excellence - Communications, OCM, and Training, this role leads government-wide 1GX training and outreach by defining role-based ...
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... and treasury management. Reporting to the Manager, 1GX Business Excellence - Communications, OCM, and Training, this role leads government-wide 1GX training and outreach by defining role-based ...
... and treasury management. Reporting to the Manager, 1GX Business Excellence - Communications, OCM, and Training, this role leads government-wide 1GX training and outreach by defining role-based ...
Quick apply
... and treasury management. Reporting to the Manager, 1GX Business Excellence - Communications, OCM, and Training, this role leads government-wide 1GX training and outreach by defining role-based ...
Calgary, AB · On-site
Maintaining knowledge of other BofA products including Investment Banking and Treasury Management that have credit exposure, and leveraging product expertise to deliver the best possible and ...
Calgary, AB · On-site
Maintaining knowledge of other BofA products including Investment Banking and Treasury Management that have credit exposure, and leveraging product expertise to deliver the best possible and ...
Calgary, AB · Hybrid
Position Summary The Tax Manager - Crown Royalties is responsible for reviewing and analyzing ... Represents clients during Alberta Treasury Board and Finance audits and provide support and ...
Calgary, AB · Hybrid
Position Summary The Tax Manager - Crown Royalties is responsible for reviewing and analyzing ... Represents clients during Alberta Treasury Board and Finance audits and provide support and ...
Implement corporate finance policies and support treasury, insurance, tax, and internal audit ... Ability to manage confidential information and meet tight deadlines. * Strong attention to detail ...
Quick apply
Implement corporate finance policies and support treasury, insurance, tax, and internal audit ... Ability to manage confidential information and meet tight deadlines. * Strong attention to detail ...
Dream's Finance team is currently looking for an Accounting Manager to oversee the Accounting and Accounts Payable functions for the Alberta Land & Housing team, along with the Treasury function for ...
Dream's Finance team is currently looking for an Accounting Manager to oversee the Accounting and Accounts Payable functions for the Alberta Land & Housing team, along with the Treasury function for ...
Edmonton, AB · Hybrid
CA$1.50/hr
Business Acumen - Strong understanding of business and personal credit principles and strong cash and treasury management knowledge. Who you are * You are a bold and accountable leader. You have ...
New
Edmonton, AB · Hybrid
CA$1.50/hr
Business Acumen - Strong understanding of business and personal credit principles and strong cash and treasury management knowledge. Who you are * You are a bold and accountable leader. You have ...
New
CA$110K - CA$115K/yr
... treasury management, market risk management, debt and equity research and institutional sales and trading. BMO Capital Markets has over 2,700 professionals in 30+ locations around the world ...
CA$110K - CA$115K/yr
... treasury management, market risk management, debt and equity research and institutional sales and trading. BMO Capital Markets has over 2,700 professionals in 30+ locations around the world ...
Edmonton, AB · Hybrid
CA$1.50/hr
Business Acumen - Strong understanding of business and personal credit principles and strong cash and treasury management knowledge. Who you are * You are a bold and accountable leader. You have ...
New
Edmonton, AB · Hybrid
CA$1.50/hr
Business Acumen - Strong understanding of business and personal credit principles and strong cash and treasury management knowledge. Who you are * You are a bold and accountable leader. You have ...
New
Calgary, AB · On-site
CA$175K/yr
We offer corporate and investment banking, treasury management, as well as research and advisory services to clients around the world. #bmocapitalmarkets This role requires an experienced senior ...
Calgary, AB · On-site
CA$175K/yr
We offer corporate and investment banking, treasury management, as well as research and advisory services to clients around the world. #bmocapitalmarkets This role requires an experienced senior ...
... Treasury - cash flow reporting * Experience in process improvement or re-engineering initiatives and projects in the core back-office accounting areas (see above) in either a consultant or internal ...
... Treasury - cash flow reporting * Experience in process improvement or re-engineering initiatives and projects in the core back-office accounting areas (see above) in either a consultant or internal ...
... treasury management, market risk management, debt and equity research and institutional sales and trading. BMO Capital Markets has over 2,700 professionals in 30+ locations around the world ...
... treasury management, market risk management, debt and equity research and institutional sales and trading. BMO Capital Markets has over 2,700 professionals in 30+ locations around the world ...
$46K - $55K
1% of jobs
$55K - $64K
1% of jobs
$64K - $73K
1% of jobs
$73K - $82K
10% of jobs
$90.6K is the 25th percentile. Wages below this are outliers.
$82K - $91K
13% of jobs
$91K - $100K
17% of jobs
The median wage is $104.8K / yr.
$100K - $109K
14% of jobs
$109K - $118K
12% of jobs
$121.7K is the 75th percentile. Wages above this are outliers.
$118K - $127K
17% of jobs
$127K - $136K
12% of jobs
$136K - $145K
3% of jobs
$46K
$108.9K
$145K
| Aspect | Treasury Manager | Cash Manager |
|---|---|---|
| Primary Focus | Managing overall corporate liquidity, funding, and financial risk | Overseeing daily cash flow, collections, and disbursements |
| Certifications | CPA, CFA, or treasury-specific certifications often preferred | Typically no specialized certifications required |
| Work Environment | Strategic planning, financial analysis, and risk management | Operational, focused on daily cash activities |
| Industry Usage | Common in large corporations and financial institutions | Found in companies with significant cash handling needs |
The Treasury Manager oversees the company's overall treasury functions, including liquidity and risk management, while the Cash Manager handles daily cash operations. Both roles are essential for financial health but differ in scope and strategic focus.
As a treasury manager, your duties are to oversee, monitor, and manage the financial planning of a business or financial institution. To become a treasury manager, you typically need a bachelor’s degree in finance, economics, or business administration. You also need at least five years of experience in financial planning or accounting, particularly positions with supervisory responsibilities. An MBA, CPA, or license as a Certified Treasury Professional may significantly improve your job opportunities. Additional qualifications include strong accounting, organizational, and multitasking skills, as well as knowledge of financial principles and attention to detail.

Full-time
Medical, Dental, Vision, Retirement, PTO
Posted 18 days ago
8.0
Based on 10 frontline employees who took The Breakroom Quiz
Position Summary
The Treasury Analyst plays a key role in managing the organization's liquidity, cash flow, and treasury operations. This position supports day-to-day cash management, maintains accurate cash flow forecasts, administers banking transactions, and contributes to the effective management of financial risk.
The ideal candidate demonstrates an ownership mindset-taking accountability for the quality, accuracy, and outcomes of their work. They are proactive, detail-oriented, and committed to continuous improvement. They actively seek opportunities to enhance processes, strengthen controls, and support informed decision-making. Beyond executing daily responsibilities, they understand how treasury activities contribute to the organization's long-term financial objectives and overall success.
A successful Treasury Analyst is not focused solely on completing tasks; they are engaged in improving treasury processes, supporting financial strategies, and helping drive positive business outcomes.
Cash Management and Liquidity Oversight
Oversee daily cash management activities and support the organization's liquidity requirements.
Maintain and update cash flow forecasts, taking ownership of forecast accuracy and completeness.
Coordinate with internal stakeholders to obtain timely and accurate information regarding expected cash inflows and outflows.
Ensure the Treasury Management System (Kyriba) is updated accurately and on a timely basis to maintain high-quality data and support decision-making.
Provide clear and meaningful reporting and supporting detail for management review.
Create/review outgoing wire payments, ensuring appropriate documentation, approvals, and supporting information are provided prior to release.
Complete daily bank account and cheque reconciliations.
Cash Forecasting and Analysis
Prepare, analyze, and report cash flow forecasts and liquidity positions to management.
Monitor forecast performance through regular variance analysis of forecasted versus actual cash flows.
Identify trends, risks, and opportunities to improve cash visibility and forecast accuracy.
Monitor and track updates to forecasts to support short and long-term liquidity planning.
Recommend process enhancements and best practices that improve forecasting efficiency and reliability.
Treasury Operations
Prepare and execute banking documentation related to borrowing and repayment activities.
Ensure timely and accurate submission of treasury and banking documentation.
Complete banking and vendor account documentation as required.
Administer the company's Letter of Credit portfolio, including issuance, renewals, amendments, utilization monitoring, and record maintenance.
Support treasury projects, system enhancements, process improvements, and internal control initiatives.
Relationship Management
Develop and maintain effective working relationships with internal business partners to support treasury objectives.
Foster strong relationships with banking partners and other external service providers.
Required Qualifications
Bachelor's degree in Business, Finance, Commerce, Economics, or a related discipline.
Strong understanding of cash management, cash forecasting, and financial analysis.
Demonstrated attention to detail and commitment to accuracy.
Excellent organizational, time management, and problem-solving skills.
Strong analytical skills with the ability to think critically and independently.
Excellent written and verbal communication skills.
Preferred Qualifications
Why work at AltaGas?
AltaGasis a North American energy infrastructure company with a focus on owning and operating assets that provide affordable energy to our customers. AltaGas assets include Washington Gas/WGL, SEMCO, and Petrogas. Our talented team, nearly3,000strong, leverages the strength of our assets and expertise along the energy value chain to connect customers with premier energy solutions - from the well sites of upstream producers to the doorsteps of homes and businesses to new markets around the world.
We deliver clean and affordable natural gas to approximately1.7 million customers' homes and businesses through regulated natural gas distribution utilities acrossfour jurisdictions in the United States and two regulated natural gas storage utilities in the United States. Learn more about our team, vision, and strategy.
To learn more about our mission: https://youtu.be/k1mrKDdsYW8?si=y1k3NOyHxgf4emdL
#LI-JH1
For Canadian hires: AltaGas hires personnel on the basis of job-related qualifications. All qualified applicants will receive consideration without regard to a person's ancestry, place of origin, colour, ethnic origin, citizenship, creed, sex, sexual orientation, gender identity or expression, age, record of offences, marital status, family status or disability or any other characteristic protected by applicable law.
For U.S. hires: WGL/SEMCO/AltaGas offers a total rewards package that includes competitive pay, incentive bonus plans, holiday pay, 401K matching and a wide array of benefits. These benefits including medical, dental and vision coverage are designed to help you and your family stay healthy. We also have paid time off (PTO) to balance the demands of your work and personal life. Available benefits vary depending upon the specifics of the role.
U.S. affiliates of AltaGas are committed to equal employment opportunity and providing reasonable accommodations to applicants with physical and/or mental disabilities. We value and encourage diversity and solicit applications from all qualified applicants without regard to race, ethnicity, religion, gender, age, national origin, marital status, sexual orientation, gender identity, family responsibilities, matriculation, physical or mental disabilities, political affiliation, genetic information, status as a protected veteran or any other characteristic protected by federal, state, or local law.
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Utilities
1,001 - 5,000 Employees
Springfield, VA, US
1848